Motorola Solutions, Inc. (MSI)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / COM NEW
Shares, Excl. Options Q1 2024
$132M
Holdings value Q1 2024
$46.9B
Value change Q1 2024
-$670M
Grand Portfolio weight change Q1 2024
-0.001%
Number of holders
1150
Number of Buys Q1 2024
487
Number of Sells Q1 2024
-453
Average Buys Q1 2024 %
+0.006%
Average Sells Q1 2024 %
-0.004%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 132M $46.7B -$605M $354.98 1,089
2023 Q4 137M $42.9B +$775M $313.09 1,116
2023 Q3 136M $37B -$462M $272.24 997
2023 Q2 138M $40.4B -$248M $293.28 1,017
2023 Q1 139M $39.8B +$239M $286.13 968
2022 Q4 142M $36.5B +$193M $257.71 963
2022 Q3 142M $31.8B +$289M $223.97 898
2022 Q2 141M $29.5B +$104M $209.60 874
2022 Q1 142M $34.3B -$121M $242.20 883
2021 Q4 144M $38.9B -$412M $271.70 933
2021 Q3 145M $33.7B -$11.8M $232.32 834
2021 Q2 145M $31.5B +$503M $216.85 807
2021 Q1 145M $27.3B +$386M $188.05 771
2020 Q4 144M $24.5B -$721M $170.06 756
2020 Q3 149M $23.4B +$629M $156.81 712
2020 Q2 147M $20.6B +$45.1M $140.13 729
2020 Q1 150M $19.9B +$590M $132.92 741
2019 Q4 148M $23.8B -$74.7M $161.14 805
2019 Q3 151M $25.7B +$946M $170.41 751
2019 Q2 145M $24.2B +$2.31B $166.73 719
2019 Q1 143M $20.1B +$80.8M $140.42 702
2018 Q4 144M $16.5B +$234M $115.04 688
2018 Q3 143M $18.5B +$113M $130.14 666
2018 Q2 143M $16.5B +$516M $116.37 632
2018 Q1 141M $14.8B +$39.8M $105.30 635
2017 Q4 143M $12.9B +$7.74M $90.34 612
2017 Q3 146M $12.4B +$147M $84.87 554
2017 Q2 146M $12.6B +$164M $86.74 556
2017 Q1 145M $12.4B +$1.56B $86.22 536
2016 Q4 142M $11.8B +$123M $82.89 544
2016 Q3 143M $10.9B +$106M $76.28 521
2016 Q2 144M $9.47B -$52M $65.97 523
2016 Q1 155M $11.5B -$34M $75.70 514
2015 Q4 155M $10.6B -$462M $68.45 474
2015 Q3 163M $11.1B -$875M $68.38 453
2015 Q2 180M $10.2B +$65.8M $57.34 448
2015 Q1 182M $12.1B -$221M $66.67 476
2014 Q4 194M $13B -$870M $67.08 495
2014 Q3 215M $13.6B -$536M $63.28 461
2014 Q2 226M $15.1B +$436M $66.57 494
2014 Q1 224M $14.4B +$78.3M $64.29 501